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Original Test Bank for International Financial Management, 15th Edition by Jeff Madura and Chad Zipfel (2025), covering multinational financial management, international financial environments, exchange rate behavior, risk management, long-term and short-term asset and liability management, and emerging financial technologies. The test bank includes Chapter 1: Multinational Financial Management: An Overview; Chapter 2: International Flow of Funds; Chapter 3: International Financial Markets; Chapter 4: Exchange Rate Determination; Chapter 5: Currency Derivatives; Chapter 6: Government Influence on Exchange Rates; Chapter 7: International Arbitrage and Interest Rate Parity; Chapter 8: Relationships Among Inflation, Interest Rates, and Exchange Rates; Chapter 9: Forecasting Exchange Rates; Chapter 10: Measuring Exposure to Exchange Rate Fluctuations; Chapter 11: Managing Transaction Exposure; Chapter 12: Managing Economic Exposure and Translation Exposure; Chapter 13: Direct Foreign Investment; Chapter 14: Multinational Capital Budgeting; Chapter 15: Corporate Governance: International Acquisitions and Divestitures; Chapter 16: Country Risk Analysis; Chapter 17: Multinational Capital Structure and Cost of Capital; Chapter 18: Long-Term Debt Financing; Chapter 19: Financing International Trade; Chapter 20: Short-Term Financing; Chapter 21: International Cash Management; and Chapter 22: Fintech in Financial Markets, providing complete coverage of all Chapters 1–22 for academic and exam preparation.
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